Frühwirth, Manfred

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Article in Academic Journal

Sögner, LeopoldORCID: and Frühwirth, Manfred (2015) Weather and SAD Related Mood Effects on the Financial Market. Quarterly Review of Economics and Finance, 57, pp. 11-31.

Frühwirth, Manfred; Schneider, Paul and Sögner, LeopoldORCID: (2010) The Risk Microstructure of Corporate Bonds: A Case Study from the German Corporate Bond Market. European Financial Management, 16 (4), pp. 658-685.

Frühwirth, Manfred and Sögner, LeopoldORCID: (2006) The Jarrow/Turnbull default risk model—Evidence from the German market. The European Journal of Finance, 12 (2), pp. 107-135.

This list was generated on Wed Jun 3 05:48:37 2020 CEST.